CureVac N.V. hisselerini bulunduran BYF'ler
Below are funds with CureVac N.V. stocks, sorted by market value. Equipped with price, change, and other helpful stats, they make investing in 5CV more accessible and offer more opportunities at a lower risk.
Sembol | Market değeri | Ağırlık | İhraççı | Yönetim stili | Odaklanma | Gider oranı | AUM | Fiyat | Değişim % | Bağ Hacim | NAV toplam getirisi 3Y |
---|---|---|---|---|---|---|---|---|---|---|---|
2,99 M USD | 0,05% | BlackRock, Inc. | Pasif | Sağlık hizmetleri | 0,44% | 5,8 B USD | 141,64 USD | −0,60% | 1,01 | +25,44% | |
1,43 M USD | 1,62% | Water Island Capital Partners LP | Pasif | Uzun/kısa | 0,84% | 88,44 M USD | 29,01 USD | +0,03% | 1,18 | +14,37% | |
1,39 M USD | 0,55% | New York Life Insurance Co. | Pasif | Uzun/kısa | 0,77% | 255,6 M USD | 35,98 USD | −0,06% | 0,46 | +15,89% | |
1,14 M USD | 0,04% | Deutsche Bank AG | Pasif | Küçük sermaye | 0,33% | 3,11 B USD | 64,98 EUR | −0,58% | 0,25 | +45,95% | |
839,05 K USD | 0,19% | SAS Rue la Boétie | Pasif | Küçük sermaye | 0,40% | 448,21 M USD | 386,07 EUR | −0,66% | 0,03 | +49,31% | |
679,87 K USD | 0,09% | UBS Group AG | Pasif | Küçük sermaye | 0,40% | 461,81 M USD | 135,84 EUR | −0,50% | 0,69 | +55,10% | |
679,87 K USD | 0,09% | UBS Group AG | Pasif | Küçük sermaye | 0,40% | 297 M USD | 9,823 EUR | −0,25% | 0,23 | — | |
679,87 K USD | 0,09% | UBS Group AG | Pasif | Küçük sermaye | — | 6,57 M USD | 9,578 EUR | −1,24% | 1,61 | — | |
678,43 K USD | 0,11% | BlackRock, Inc. | Pasif | Sağlık hizmetleri | 0,35% | 24,8 M USD | 6,965 USD | +0,09% | 0,08 | +33,69% | |
678,43 K USD | 0,11% | BlackRock, Inc. | Pasif | Sağlık hizmetleri | 0,35% | 571,61 M USD | 6,9750 USD | −0,14% | 0,10 | +33,69% | |
479,89 K USD | 0,01% | FMR LLC | Pasif | Toplam piyasa | 0,21% | 8,93 B USD | 88,49 USD | −0,34% | 0,79 | +113,22% | |
384 K USD | 0,11% | Invesco Ltd. | Pasif | Sağlık hizmetleri | 0,40% | 339,5 M USD | 49,92 USD | +0,02% | 0,02 | +31,81% | |
353,22 K USD | 0,05% | State Street Corp. | Pasif | Küçük sermaye | 0,40% | 792,77 M USD | 40,04 USD | −1,06% | 1,64 | +63,33% | |
276,14 K USD | 0,59% | Mirae Asset Global Investments Co., Ltd. | Pasif | Tema | 0,50% | 47,09 M USD | 37,86 USD | +1,04% | 0,95 | −21,01% | |
159,7 K USD | 0,08% | China Universal Asset Management Co., Ltd. | Pasif | Sağlık hizmetleri | 0,65% | — | 1,250 CNY | −0,24% | 0,91 | — | |
127,21 K USD | 0,06% | SAS Rue la Boétie | Pasif | Küçük sermaye | 0,57% | 107,58 M USD | 55,43 EUR | −0,40% | 0,05 | +45,58% | |
127,09 K USD | 0,06% | SAS Rue la Boétie | Pasif | Küçük sermaye | 0,57% | 106,83 M USD | 149,2011 EUR | −0,80% | 0,00 | +49,46% | |
108,91 K USD | 0,64% | Virtus Investment Partners, Inc. | Pasif | Sağlık hizmetleri | 0,79% | 16,46 M USD | 26,08 USD | +3,28% | 0,45 | +10,61% | |
63,68 K USD | 0,58% | Mirae Asset Global Investments Co., Ltd. | Pasif | Tema | 0,60% | 11,05 M USD | 6,709 USD | +0,06% | 0,02 | −20,99% | |
52,05 K USD | 0,11% | Mirae Asset Global Investments Co., Ltd. | Pasif | Sağlık hizmetleri | 0,30% | 46,02 M USD | 24.635 KRW | −0,26% | 0,69 | +28,09% | |
44,21 K USD | 0,12% | Invesco Ltd. | Pasif | Sağlık hizmetleri | 0,19% | 37,58 M USD | 23,88 USD | −0,25% | 1,24 | +34,37% | |
42,99 K USD | 0,08% | ProShare Advisors LLC | Pasif | Sağlık hizmetleri | 0,95% | 56,31 M USD | 57,53 USD | −0,89% | 0,22 | +33,07% | |
30,96 K USD | 0,51% | WisdomTree, Inc. | Pasif | Tema | 0,45% | 5,95 M USD | 16,864 USD | +0,43% | 0,04 | −8,95% | |
11,8 K USD | 0,51% | WisdomTree, Inc. | Pasif | Tema | 0,45% | 2,26 M USD | 15,41 USD | +2,78% | 2,01 | −3,95% | |
8,02 K USD | 0,03% | WisdomTree, Inc. | Pasif | Tema | 0,50% | 26,71 M USD | 31,005 EUR | −1,16% | 0,11 | +12,18% | |
7,08 K USD | 0,11% | Deutsche Bank AG | Pasif | Tema | 0,35% | 6,73 M USD | 30,640 USD | −1,72% | — | +6,46% | |
6,38 K USD | 0,08% | Qunyi Securities Investment Trust Co. Ltd. | Pasif | Sağlık hizmetleri | 1,01% | 8,34 M USD | 28,36 TWD | −0,21% | 0,95 | +18,42% | |
5,68 K USD | 0,01% | Deutsche Bank AG | Pasif | Toplam piyasa | 0,45% | 67,43 M USD | 52,54 USD | +0,20% | 0,32 | +78,35% |